let res = {
  code: 0, //1--查询日报告数据未更新，暂无查询结果 0 --成功
  msg: '',
  data: {
    //可投范围
    controllableRange: [
      {
        dataSource: [],
        title: '现金',
        state: '1',
      },
      {
        dataSource: [
          {
            id: 5431,
            productname: '现金1号',
            secuabbr: '人民币同业借款合同-苏州金融租赁',
            bankName: '人民币同业借款合同-苏州金融租赁',
            posname: '定期',
            startDate: '',
            endDate: '2022-09-02',
            depositBalance: '200712334.1300',
          },
        ],
        title: '期限在1年以内（含1年）的银行存款',
        state: '0',
      },
      {
        dataSource: [
          {
            id: 5389,
            productname: '金阿福创赢年享净值型理财',
            buybackCode: '204001',
            buybackName: '204001',
            stockType: '交易所回购',
            type: '逆回购',
            counterparty: '--',
            marketvalue: '200000000.0000',
            tradingDay: null,
            redeemLiquidate: '2022-12-22',
          },
        ],
        title: '期限在1年以内（含1年）的债券回购',
        state: '0',
      },
      {
        dataSource: [
          {
            id: 5388,
            productname: '金阿福创赢年享净值型理财',
            bondCode: '2101001S',
            bondName: '2021年第一期央行票据(互换)',
            currentamount: '400000.0',
            netvaluation: null,
            totalvaluation: null,
            marketvalue: '41643835.6200',
            duedate: '2022-04-29',
            residualday: '494',
          },
        ],
        title: '期限在1年以内（含1年）的中央银行票据',
        state: '0',
      },
      {
        dataSource: [
          {
            id: 5440,
            productname: '金阿福创赢年享净值型理财',
            bondCode: '112093061',
            bondName: '合肥科技农村商行CD002',
            currentamount: '700000.0',
            netvaluation: '96.8666',
            totalvaluation: '99.4131',
            marketvalue: '70432657.5300',
            duedate: '2021-12-29',
            residualday: '373',
          },
        ],
        title: '期限在1年以内（含1年）的同业存单',
        state: '0',
      },
      {
        dataSource: [
          {
            id: 5354,
            productname: '金阿福创赢年享净值型理财',
            bondCode: '123046',
            bondName: '16宁水01',
            currentamount: '500000.0',
            netvaluation: '148.6192',
            totalvaluation: '149.0000',
            marketvalue: '52666503.8800',
            duedate: '2026-03-19',
            exercisedate: '',
            residualday: '1914',
            remainingday: '1914',
          },
        ],
        title: '剩余期限在397天以内（含397天）的债券、在银行间市场和证券交易所市场发行的资产支持证券',
        state: '0',
      },
    ],
    //不可投范围
    uncontrollableRange: [
      {
        dataSource: [
          {
            id: 5448,
            productname: null,
            bondCode: '360038',
            bondName: '长银优1',
            amount: '400000.00',
            price: '99.04',
            marketvalue: '39616000.0000',
          },
        ],
        title: '股票',
        state: '0',
      },
      {
        dataSource: [
          {
            id: 5352,
            productname: null,
            bondCode: '117001',
            bondName: '13福星债',
            amount: '500000.00',
            price: null,
            marketvalue: '52666503.8800',
          },
          {
            id: 5354,
            productname: null,
            bondCode: '123046',
            bondName: '16宁水01',
            amount: '500000.00',
            price: '149.00',
            marketvalue: '52666503.8800',
          },
        ],
        title: '可转换债券、可交换债券',
        state: '0',
      },
      {
        dataSource: [
          {
            id: 5353,
            productname: '金阿福创赢年享净值型理财',
            bondCode: '1589250【浮】',
            bondName: '15京诚2B',
            interestPayment: '否',
            currentamount: '1000000.0',
            netvaluation: '100.5917',
            totalvaluation: '100.9372',
            marketvalue: '101357808.2200',
          },
        ],
        title: '以定期存款利率为基准利率的浮动利率债券，已进入最后一个利率调整期的除外',
        state: '0',
      },
      {
        dataSource: [
          {
            id: 5359,
            productname: '金阿福创赢年享净值型理财',
            bondCode: '145849【权】',
            bondName: '17华阔02',
            bondrating: 'AA',
            currentamount: '900000.0',
            netvaluation: '99.7608',
            totalvaluation: '101.1030',
            marketvalue: '91483664.9500',
          },
          {
            id: 5360,
            productname: '金阿福创赢年享净值型理财',
            bondCode: '145488【权】',
            bondName: '17天源01',
            bondrating: 'AA',
            currentamount: '500000.0',
            netvaluation: '99.1216',
            totalvaluation: '102.0942',
            marketvalue: '51560649.3200',
          },
        ],
        title: '信用等级在AA+以下的债券、资产支持证券',
        state: '0',
      },
    ],
    //投资集中度控制
    concentrationControl: [
      {
        dataSource: [
          {
            productname: '金阿福-创赢年享',
            children: [
              {
                issuer: '滁州市城市投资控股集团有限公司',
                portfolioWeightcoefficient: '1.87%',
                children: [
                  {
                    tradingcode: '1180172',
                    secuabbr: '11滁州城投债',
                    amount: '800000.0',
                    netvaluation: '30.6121',
                    totalvaluation: '30.7261',
                    marketvalue: '80441671.2300',
                    weightcoefficient: '1.87%',
                  },
                ],
              },
            ],
          },
        ],
        title: '每只现金管理类产品投资于同一机构发行的债券及其作为原始权益人的资产支持证券的比例合计不得超过该产品资产净值的10%，投资于国债，中央银行票据，政策性金融债券的除外',
        state: '1',
      },
      {
        dataSource: [
          {
            productname: '金阿福-创赢年享',
            portfolioWeightcoefficient: '66.26%',
            children: [
              {
                issuer: '滁州市城市投资控股集团有限公司',
                creditrating: 'AA+',
                portfolioWeightcoefficient1: '1.87%',
                children: [
                  {
                    tradingCode: '1180172',
                    secuabbr: '11滁州城投债',
                    type: '0',
                    subType: '一般企业债',
                    amount: '800000.0',
                    rate: null,
                    weightcoefficient: '1.87%',
                  },
                ],
              },
            ],
          },
        ],
        title:
          '每只现金管理类产品投资于所有主体信用评级低于AAA的机构发行的金融工具的比例合计不得超过该产品资产净值的10%，其中单一机构发行的金融工具的比例合计不得超过该产品资产净值的2%；本款所称金融工具包括债券（不包含利率债）、银行存款、同业存单、相关机构作为原始权益人的资产支持证券及银保监会认可的其他金融工具。',
        state: '0',
      },
      {
        dataSource: [
          {
            productname: '金阿福-创赢年享',
            subtype: '定期',
            portfolioWeightcoefficient: '9.3400%',
            children: [
              {
                secuabbr: '人民币同业借款合同-江南金融租赁',
                rate: '0.25%',
                marketvalue: '200540005.9900',
                type: '8',
                creditrating: null,
                bondRating: null,
                duedate: '20210611',
                weightcoefficient: '4.67%',
              },
            ],
          },
        ],
        title: '每只现金管理类产品投资于有固定期限银行存款的比例合计不得超过该产品资产净值的30%，投资于有存款期限，根据协议可提前支取的银行存款除外',
        state: '1',
      },
      {
        dataSource: [
          {
            productname: '金阿福-创赢年享',
            children: [
              {
                issuer: '平安银行股份有限公司',
                creditrating: 'AAA',
                portfolioWeightcoefficient: '2.33%',
                children: [
                  {
                    tradingcode: '112011146',
                    secuabbr: '20平安银行CD146',
                    type: '0',
                    subtype: '同业存单',
                    rate: '2.90%',
                    marketvalue: '99873296.7800',
                    duedate: '20210107',
                    weightcoefficient: '2.33%',
                  },
                ],
              },
              {
                issuer: '招商银行股份有限公司',
                creditrating: 'AAA',
                portfolioWeightcoefficient: '2.33%',
                children: [
                  {
                    tradingcode: '112007004',
                    secuabbr: '20招商银行CD004',
                    type: '0',
                    subtype: '同业存单',
                    rate: '2.90%',
                    marketvalue: '99873651.7700',
                    duedate: '20210107',
                    weightcoefficient: '2.33%',
                  },
                ],
              },
            ],
          },
        ],
        title: '每只现金管理类产品投资于主体信用评级为AAA的同一商业银行的银行存款、同行业存单占该产品资产净值的比例合计不得超过20%',
        state: '1',
      },
      {
        dataSource: [
          {
            productname: '金阿福-创赢年享',
            children: [
              {
                issuer: '合肥科技农村商业银行股份有限公司',
                portfolioWeightcoefficient: '1.64%',
                children: [
                  {
                    tradingcode: '112093061',
                    secuabbr: '合肥科技农村商行CD002',
                    type: '0',
                    subtype: '同业存单',
                    productName: '1111',
                    currentamount: '9999',
                    marketvalue: '70432657.5300',
                    weightcoefficient: '1.64%',
                  },
                ],
              },
            ],
          },
        ],
        title: '全部现金管理类产品投资于同一商业银行的存款、同业存单和债券，不得超过该商业银行最近一个季度末净资产的10%',
        state: '0',
      },
      {
        dataSource: [
          {
            productname: '金阿福-创赢年享',
            children: [
              {
                issuer: '合肥科技农村商业银行股份有限公司',
                creditrating: 'AA',
                portfolioWeightcoefficient: '1.64%',
                children: [
                  {
                    tradingcode: '112093061',
                    secuabbr: '合肥科技农村商行CD002',
                    type: '0',
                    subtype: '同业存单',
                    rate: null,
                    marketvalue: '70432657.5300',
                    duedate: '20211229',
                    weightcoefficient: '1.64%',
                  },
                ],
              },
            ],
          },
        ],
        title:
          '商业银行，理财公司现金类产品拟投资于主体信用评级低于AA+的商业银行存款与同业存单的，应当经你机构董事会审议批准，相关交易应当事先告知托管机构，并作为重大事项履行信息披露程序',
        state: '0',
      },
    ],
    //流动性控制
    fluidity: [
      {
        dataSource: [
          {
            id: 5358,
            productname: '金阿福创赢年享净值型理财',
            tradingcode: '170403',
            secuabbr: '17农发03',
            type: '0',
            subtype: '政策银行债',
            marketvalue: '105156956.33',
            weightcoefficient: '2.45%',
          },
        ],
        title: '每只现金管理类产品持有不低于该产品资产净值5%的现金、国债、中央银行票据、政策性金融债券',
        state: '1',
      },
      {
        dataSource: [
          {
            id: 41309,
            productname: null,
            tradingcode: '汇总',
            secuabbr: null,
            type: null,
            subtype: null,
            marketvalue: '633788354.50',
            weightcoefficient: '14.77%',
          },
        ],
        title: '每只现金管理类产品持有不低于该产品资产净值10%的现金、国债、中央银行票据、政策性金融债券以及五个交易日内到期的其他金融工具（不包含正回购）',
        state: '1',
      },
      {
        dataSource: [
          {
            id: 5353,
            productname: '金阿福创赢年享净值型理财',
            tradingcode: '1589250',
            secuabbr: '15京诚2B',
            type: '0',
            subtype: '银保监会主管ABS',
            marketvalue: '101357808.22',
            weightcoefficient: '2.36%',
          },
        ],
        title:
          '每只现金管理类产品投资到期日在10个交易日以上的债券买入返售、银行定期存款（含协议约定有条件提前支取的银行存款），以及资产支持证券、因发行人债务违约无法进行转让或者交易的债券等由于法律法规、合同或者操作障碍等原因无法以合理价格予以变现的流动性受限资产，合计不得超过该产品资产净值的10%',
        state: '0',
      },
    ],
    //杠杆率控制
    leverageRatio: [
      {
        dataSource: [
          {
            productname: '金阿福-创赢年享',
            netvaluation: '4295295558.86',
            totalPrice: '4302791995.4',
            liabilities: '7496436.54',
            leverageRatio: '100.17%',
          },
        ],
        title: '每只现金管理类产品的杠杆水平不得超过120%',
        state: '1',
      },
    ],
    //组合久期
    portfolioDay: [
      {
        dataSource: [
          {
            producyName: '金阿福-创赢年享',
            residualday: '574',
            remainingday: '762',
          },
        ],
        title: '每只现金管理类产品投资组合的平均剩余期限不得超过120天，每只现金管理类产品投资组合的平均剩余存续期不得超过240天',
        state: '0',
      },
    ],
    //最后的全部明细
    allDetial: [
      {
        tradingcode: '206020',
        exchangecode: '101',
        secuabbr: '206020',
        type: '14',
        subtype: null,
        currentamount: '91100.0000',
        rate: '0.00%',
        netvaluation: '100',
        totalvaluation: '100',
        marketvalue: '9110000.0000',
        issuer: '--',
        counterparty: '--',
        subjectrating: null,
        bondrating: null,
        duedate: '20221222',
        exercisedate: null,
        residualday: '731',
        remainingday: '731',
        weightcoefficient: '0.21%',
        productcode: 'TN0001',
        productname: '金阿福创赢年享净值型理财',
        importdate: '20201221',
        totalPrice: '4295295558.86',
      },
    ],
  },
};
export default res;
